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Latest Stock Portfolios of the World’s Best Investors & Hedge Funds

Name AUM AUM
Growth
AUM
Growth %
Quarter Est. Return 3 Year Est. Return Holdings Portfolio Turnover
OCM
3476
Ogborne Capital Management
California
$212M +$124M +142% 70% 223% 18 66.67%
FCFC
3477
First Commonwealth Financial Corp
Pennsylvania
$212M +$45.8M +28% 18.6% 61.6% 168 19.64%
TOGEPT
3478
Trustees of General Electric Pension Trust
Connecticut
$212M -$34.4M -14% 14% 184% 1 0%
HC
3479
Hendley & Co
Ohio
$212M +$33.6M +19% 17.9% 54.8% 62 16.13%
FFG
3480
Frisch Financial Group
New York
$212M +$39.9M +23% 13.8% 56% 112 21.43%
E
3481
EnerVest
Texas
$211M +$71.9M +52% 51.5% 20.5% 1 0%
FEM
3482
Fulcrum Equity Management
Texas
$211M +$71.2M +51% 23.9% 110% 143 69.23%
SDH
3483
Sloy Dahl & Holst
Washington
$211M +$80.1M +61% 63.9% 131% 44 29.55%
VEA
3484
Virtus ETF Advisers
New York
$211M -$31.9M -13% 35.9% 122% 499 29.26%
IIC
3485
Integrated Investment Consultants
Michigan
$211M +$42M +25% 24.9% 59.1% 177 22.6%
RCS
3486
Retirement Capital Strategies
California
$211M +$27.7M +15% 18.7% 50.2% 55 41.82%
II
3487
Ibex Investors
Colorado
$211M +$111M +112% 41.6% 4.48% 54 68.52%
AIA
3488
Affinity Investment Advisors
California
$210M +$14.2M +7% 24% 120% 161 29.19%
LFG
3489
Larson Financial Group
Missouri
$210M +$50.5M +32% 16.2% 59.9% 796 26.88%
WAS
3490
Winch Advisory Services
Wisconsin
$210M +$9.26M +5% 18% 72.5% 428 16.36%
SRAM
3491
Spouting Rock Asset Management
Pennsylvania
$210M +$65.7M +45% 42.4% 74.7% 158 49.37%
TSS
3492
Thomas Story & Son
Indiana
$210M +$36.4M +21% 25.4% 91.8% 60 11.67%
WAM
3493
Wakefield Asset Management
Colorado
$210M +$23.5M +13% 21.4% 111% 223 62.78%
W
3494
WealthStone
Ohio
$210M +$110M +111% 25.5% 179 84.92%
PH
3495
Pinnacle Holdings
Oklahoma
$210M +$35.2M +20% 23.5% 65.3% 221 14.03%
RRCP
3496
Rip Road Capital Partners
Massachusetts
$210M +$58.1M +38% 59.9% 121% 21 23.81%
CWM
3497
CMH Wealth Management
New Hampshire
$209M +$38.3M +22% 27.3% 76.6% 52 15.38%
SIA
3498
Starfire Investment Advisers
Michigan
$209M +$27.5M +15% 19% 19.2% 162 12.35%
GLCM
3499
Greenlea Lane Capital Management
Connecticut
$209M +$57M +37% 38.6% 119% 10 20%
DPI
3500
Diversified Portfolios Inc
Michigan
$209M +$28.7M +16% 15.3% 33% 60 11.67%